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customer report
week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing
225 180 520 995 40 31 9
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 1 01.01.2015 02.01.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry
closed at
GBP/USD entry
closed at
EUR/USD entry
closed at
GBP/USD entry
closed at
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 2 05.01.2015 06.01.2015 07.01.2015 08.01.2015 09.01.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1940 1.1900 1.1865
closed at 1.1970 30 1.1930 30 1.1895 30
GBP/USD entry 1.5260 1.5215 1.5130 1.5130 1.5140
closed at 1.5300 40 1.5245 30 1.5095 -35 1.5160 30 1.5110 30
EUR/USD entry 1.1900 1.5170 GBP/USD 1.1845 1.5050
closed at 1.1930 30 1.5145 -25 1.1795 -50 1.5080 30
GBP/USD entry 1.5215 1.5195 1.5065 1.5065
closed at 1.5245 30 1.5160 -35 1.5095 30 1.5095 30
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
Profit Forex Signal
Jan-15
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 3 19.01.2015 20.01.2015 21.01.2015 22.01.2015 23.01.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1620 1.1540 1.1365 1.1260
closed at 1.1590 30 1.1570 30 1.1330 -30 1.1900 -70
GBP/USD entry 1.5130 1.5160 1.5180
closed at 1.5160 30 1.5080 80 1.5030 150
EUR/USD entry 1.1620 1.1405
closed at 1.1590 30 1.1370 -30
GBP/USD entry 1.1505 1.5040
closed at 1.5070 -35 1.5005 -35
1.4990 1.5020 30
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 4 26.01.2015 27.01.2015 28.01.2015 29.01.2015 30.01.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1145 1.1340 1.1315 1.1285
closed at 1.1295 150 Missed entry point 0 1.1345 30 1.1365 80
GBP/USD entry 1.5195 1.5210 1.5040
closed at 1.5165 30 1.5140 70 1.5070 30
EUR/USD entry 1.1255 GBP/USD 1.5110 1.1285
closed at 1.1235 20 1.5080 30 1.1315 30
GBP/USD entry 1.1290 1.5210
closed at 1.1260 30 1.5190 20
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 5
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry
closed at
GBP/USD entry
closed at
EUR/USD entry
closed at
GBP/USD entry
closed at
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
customer report
week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing
750 250 685 525 2210 57 49 8
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 1 02.02.2015 03.02.2015 04.02.2015 05.02.2015 06.02.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1300 1.1440 1.5220 1.1320
closed at 1.1450 150 1.1475 -35 1.5190 30 1.1460 140
GBP/USD entry 1.5085 1.5005 1.5160 1.5240
closed at 1.5055 30 1.5155 150 1.5205 -45 1.5275 -35
EUR/USD entry 1.1300 1.1465 1.1405
closed at 1.1330 30 1.1500 -35 1.1435 30
GBP/USD entry 15020 1.5065 1.5205 1.5330
closed at 1.5050 30 1.5105 -40 1.5175 30 1.5250 80
1.3345 1.3315 30 1.1515 1.1365 150
1.5015 1.5045 30 1.5185 1.5155 30
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 2 09.02.2015 10.02.2015 11.02.2015 12.02.2015 13.02.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1300 1.1275 1.1305
closed at 1.1330 30 1.1305 30 1.1335 30
GBP/USD entry 1.5210 1.5270 1.5370 1.5410
closed at 1.5230 20 1.5240 30 1.5405 -30 1.5330 80
EUR/USD entry 1.1300
closed at 1.1330 30
GBP/USD entry 1.5410
closed at 1.5380 30
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
Profit Forex Signal
Feb-15
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 3 16.02.2015 17.02.2015 18.02.2015 19.02.2015 20.02.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1355 1.1420 1.3340 1.1410
closed at 1.1435 80 1.1390 30 1.1410 70 1.1330 80
GBP/USD entry 1.5370 1.5315 1.5430 1.5455 1.5365
closed at 1.5400 30 1.5465 150 1.5475 -35 1.5435 20 1.5385 20
EUR/USD entry 1.1440
closed at 1.1310 130
GBP/USD entry 1.5450 1.5445 1.5365
closed at 1.5430 20 1.5375 70 1.5385 20
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 4 23.02.2015 24.02.2015 25.02.2015 26.02.2015 27.02.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1370 1.1305 1.1250 1.1190
closed at 1.1335 -35 1.1325 20 1.1195 -55 1.1220 30
GBP/USD entry 1.5390 1.5455 1.5520 1.5385
closed at 1.5370 20 1.5425 30 1.5500 20 1.5415 30
EUR/USD entry 1.1320 1.1300 1.1190 1.1190
closed at 1.1350 30 1.1380 80 1.1220 30 Result of this trade will be published in March.
GBP/USD entry 1.5340 1.5465 1.5535
closed at 1.5490 150 1.5435 30 1.5485 150
USD/JPY entry 119,25 1.5470
closed at 119,05 30 1.5505 -35
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 5
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry
closed at
GBP/USD entry
closed at
EUR/USD entry
closed at
GBP/USD entry
closed at
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
customer report
week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing
475 135 810 755 265 2440 100 73 27
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 1 02.03.2015 03.03.2015 04.03.2015 05.03.2015 06.03.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1190 1.1160 1.1120 1.1030 1.5235
closed at 1.1220 30 1.1180 20 1.1085 -35 1.1060 30 1.5265 30
GBP/USD entry 1.5430 1.5230 1.1025
closed at 1.5400 30 1.5260 30 1.0990 -35
EUR/USD entry 1.1235 1.1200 1.1075 1.1030 1.1010
closed at 1.1085 150 1.1050 150 1.1040 -35 1.1110 80 1.1030 20
GBP/USD entry 1.5395 1.5265 1.5230 1.5165
closed at 1.5415 30 1.5230 -35 1.5260 30 1.5195 30
GBP/USD enrty 1.5375 1.5340 -35 1.0960 1.0890 -70
EUR/USD closed at 1.1170 1.1200 30 USD/JPY 120.25 119.95 30
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 2 09.03.2015 10.03.2015 11.03.2015 12.03.2015 13.03.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0835 1.0740 1.0565 1.0525 30 1.0640
closed at 1.0870 -35 1.0770 30 1.0595 30 1.0555 1.0610 30
GBP/USD entry 1.5035 1.5140 1.5040 1.4910 1.4935
closed at 1.5115 70 1.4990 150 1.4990 -50 1.4940 30 1.4895 -35
EUR/USD entry 1.0860 1.0580 1.0640 121,40
closed at 1.0825 -35 1.0450 -35 1.0645 -35 121,10 30
GBP/USD entry 1.5140 1.5050 1.4955 1.4920 1.4860
closed at 1.5110 30 1.5080 30 1.4895 -35 1.5000 80 1.4890 30
USD/JPY 120,90 121,25 -35 1.4855 1.4820 -35
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved. 1.4815 1.4780 -35
Profit Forex Signal
Mar-15
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 3 16.03.2015 17.03.2015 18.03.2015 19.03.2015 20.03.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0495 1.0600 1.4670 1.0870 1.0670
closed at 1.0450 150 1.0580 20 1.4820 150 1.0840 30 1.0635 -35
GBP/USD entry 1.4800 1.4775 1.4735 1.4940 1.4860
closed at 1.4770 30 1.4805 30 1.4755 20 1.4975 -35 1.4710 150
EUR/USD entry 1.0615 1.0615 1.6125 1.0645 1.4720
closed at 1.0585 30 1.0585 30 1.0595 30 1.0675 30 1.4750 30
GBP/USD entry 1.4730 1.4730 1.4970 1.4750
closed at 1.4760 30 1.4760 30 1.4940 30 1.4715 -35
1.0615 1.0650 1.0620 1.4965 20
1.0585 30 1.0685 -35 1.0700 1.4945 80
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 4 23.03.2015 24.03.2015 25.03.2015 26.03.2015 27.03.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0860 1.0950 1.0965 1.0985
closed at 1.0790 70 1.0920 30 1.1005 -45 1.0955 30
GBP/USD entry 1.4970 1.4940 1.4865 1.4955
closed at 1.4890 80 1.4910 30 1.4895 30 1.4925 30
EUR/USD entry 1.0885 1.0990 1.4910 1.1040
closed at 1.0925 -35 1.0960 30 1.4945 -35 1.0890 150
GBP/USD entry 1.4915 1.4950 1.4855 1.4940
closed at 1.4895 20 1.4920 30 1.4935 80 1.4890 150
EUR/USD entry 1.0940 1.1000 1.4935 1.4825
closed at 1.0910 30 1.0970 30 1.4905 30 1.4845 20
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 5 30.03.2015 31.03.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0895 1.0820 1.0775
closed at 1.0745 150 1.0840 20 1.0745 -35
GBP/USD entry 1.4880 1.4780 1.4770
closed at 1.4845 -35 1.4910 30 1.4800 30
EUR/USD entry 1.0830 1.0810 1.0720
closed at 1.0860 30 1.0750 30
GBP/USD entry 1.4810 1.4720 1.4840
closed at 1.4775 -35 1.4790 30 1.482 20
1.0835 1.0865 30
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
customer report
week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing
180 695 645 425 -120 1825 64 44 20
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 1 01.04.2015 02.04.2015 03.04.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry gbp/usd 1.4840 1.0820 1.0915
closed at 1.4810 30 1.0855 -35 1.0885 30
GBP/USD entry 1.4865 1.4855
closed at 1.4785 80 1.4825 30
EUR/USD entry 1.0880
closed at 1.0915 -35
GBP/USD entry 1.4750
closed at 1.4830 80
GBP/USD enrty
EUR/USD closed at
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 2 06.04.2015 07.04.2015 08.04.2015 09.04.2015 10.04.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1005 1.0845 1.4810 GBP/USD 1.0635 1.0610
closed at 1.0975 30 1.0810 -35 1.4950 140 1.0665 30 1.0575 -35
GBP/USD entry 1.4920 1.4850 1.4950 1.4740
closed at 1.4955 -35 1.4880 30 1.4920 30 1.4695 -45
EUR/USD entry 1.1005 USD/JPY 120,25
closed at 1.0855 150 119,95 30
GBP/USD entry 1.4970 1.4850 1.4960 1.4685
closed at 1.4820 150 1.4815 -35 1.4810 150 1.4715 30
USD/JPY 1.0805 1.0885 80
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
Profit Forex Signal
Apr-15
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 3 13.04.2015 14.04.2015 15.04.2015 16.04.2015 17.04.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0560 1.0800
closed at 1.0525 -35 1.0730 30
GBP/USD entry 1.4620 1.4680 1.4835 1.4880 1.5035
closed at 1.4650 30 1.4650 30 1.4870 -35 1.4850 30 1.5005 30
EUR/USD entry USD/JPY 120,80
closed at 119,30 150
GBP/USD entry 1.4590 1.4795 1.4925
closed at 1.4670 80 1.4715 80 1.4980 -55
GBP/USD 1.4600 1.4740 140 1.4795
EUR/USD 1.0530 1.0670 140 1.4765 30
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 4 20.04.2015 21.04.2015 22.04.2015 23.04.2015 24.04.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0815 1.0660 1.0795 1.0670
closed at 1.0795 20 1.0740 80 1.0715 80 1.0820 150
GBP/USD entry 1.4960 1.4870 1.5045 1.5140
closed at 1.4925 -35 1.4900 30 1.5015 30 1.5110 30
EUR/USD entry 1.0740 1.4970 1.0720
closed at 1.0770 30 1.4940 30 1.0685 -35
GBP/USD entry 1.4905 1.5160
closed at 1.4925 20 1.513 30
GBP/USD entry 1.4900
closed at 1.4865 -35
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 5 27.04.2015 28.04.2015 29.04.2015 30.04.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0850 1.0910 1.1010
closed at 1.0830 20 1.0945 -35 1.1060 -50
GBP/USD entry 1.5180 1.5290 1.5395
closed at 1.5110 70 1.5325 -35 1.5365 30
EUR/USD entry 1.0860 1.0935 1.1085
closed at 1.0900 -40 1.0970 -35 1.1115 -35
GBP/USD entry 1.5230 1.5325 1.1135
closed at 1.5200 30 1.5360 -35 1.1105 30
1.0970 1.1005 -35
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
customer report
week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing
540 505 555 490 2090 88 64 24
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 1 01.05.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry
closed at
GBP/USD entry
closed at
EUR/USD entry
closed at
GBP/USD entry
closed at
GBP/USD enrty
EUR/USD closed at
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 2 04.05.2015 05.05.2015 06.05.2015 07.05.2015 08.05.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1095 1.1240 1.1370 184,70
closed at 1.1245 150 1.1210 30 1.1340 30 184,40 30
GBP/USD entry 1.5110 1.5180 1.1280 1.5215 1.5270
closed at 1.5140 30 1.5215 -35 1.1315 -35 1.5235 20 1.5305 -35
EUR/USD entry 1.1160 1.1280 1.1380 1.5480
closed at 1.1130 30 1.1315 -35 1.1230 150 1.5400 80
GBP/USD entry 1.1190 1.1345 1.5175 1.5440
closed at 1.1170 20 1.1380 -35 1.5245 70 1.5420 20
USD/JPY 1.1200 1.1245 -45 1.5280 1.5210 70 1.1240 1.1270 30
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
Profit Forex Signal
May-15
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 3 11.05.2015 12.05.2015 13.05.2015 14.05.2015 15.05.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1190 1.1130 1.1265 1.1255 1.1360
closed at 1.1155 -35 1.1160 30 1.1235 30 1.1225 30 1.1360 0
GBP/USD entry 1.5455 1.5495 1.5675 1.5730 1.5450
closed at 1.5425 30 1.5530 -35 1.5645 30 1.5650 80 1.5450 0
EUR/USD entry 1.1135 1.1445 1.1250 1.1265 1.1370
closed at 1.1165 30 1.1415 30 1.1230 20 1.1235 30 1.1405 -30
GBP/USD entry 1.1140 EUR/USD 1.5560 1.1410 1.1250 1.5760
closed at 1.1170 30 1.5605 -45 1.1340 70 1.1230 20 1.5805 -45
GBP/USD 1.5490 1.5470 20 1.5600 1.5770 30 1.1245 1.1225 20 1.1320 1.1355 -35 1.1410 1.1380 30
EUR/USD 1.1200 1.1170 30 1.1405 1.1385 30 1.5795 1.5715 80 1.1410 1.1380 30
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 4 18.05.2015 19.05.2015 20.05.2015 21.05.2015 22.05.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1455 1.1300 1.1135 1.1165
closed at 1.1305 150 1.1265 -35 1.1165 30 1.1135 30
GBP/USD entry 1.5825 1.5660 1.5665
closed at 1.5795 -35 1.5510 150 1.5515 150
EUR/USD entry 1.1335 1.1175 1.1130 1.1120
closed at 1.1365 30 1.1205 30 1.1095 -35 1.1200 80
GBP/USD entry 1.5665 1.5525 1.1075
closed at 1.5695 30 1.5490 -35 1.1105 30
GBP/USD entry 1.1340 1.5500
closed at 1.1305 -35 1.5520 20
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 5 25.05.2015 26.05.205 27.05.2015 28.05.2015 29.05.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0985 1.0925 1.0870 1.0915 1.0825
closed at 1.0950 -35 1.0990 -35 1.0870 0 1.0845 70 1.0975 150
GBP/USD entry 1.5470 1.5410 1.5370 1.5400 1.5340
closed at 1.5700 30 -35 1.5400 30 1.5420 20 1.5370 30
EUR/USD entry USD/JPY 121,65 1.0885 1.5430 1.0875 1.5310
closed at 121,65 0 1.0915 30 1.5270 160 1.0840 -35 1.5340 30
GBP/USD entry 1.5465 1.0885 1.5405 1.5380 1.0945
closed at 1.5430 -35 1.0915 30 1.5375 30 1.5345 -35 1.0915 30
1.0965 1.0945 20 1.5300 1.5270 -30 1.0935 1.0865 70
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
customer report
week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing
600 505 360 430 -35 1860 49 36 13
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 1 01.06.2015 02.06.2015 03.06.2015 04.06.2015 05.06.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0995 1.1000 1.1180 1.1260
closed at 1.0915 80 1.1035 -35 1.1160 20 1.1230 30
GBP/USD entry 1.5325 1.5360 1.5335
closed at 1.5370 -35 1.5330 30 1.5315 20
EUR/USD entry 1.0905 1.1030 1.5355 1.5430
closed at 1.0905 0 1.1065 -35 1.5275 80 1.5290 140
GBP/USD entry 1.5360 1.1145 1.1355
closed at 1.1125 20 1.1215 140
EUR/USD enrty 1.0890 1.1135 1.5260
closed at 1.1040 150 1.1170 -35 1.5290 30
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 2 04.05.2015 05.05.2015 06.05.2015 07.05.2015 08.05.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1010 1.3300 1.1230 1.5425
closed at 1.1045 -35 1.1335 -35 1.1370 140 1.5455 -35
GBP/USD entry 1.5260 1.5350 1.5380 1.1360 1.5515
closed at 1.5290 30 1.5270 80 1.5360 20 1.1210 150 1.5485 30
EUR/USD entry GBP/USD 1.5290 1.1320 1.1285 1.5450
closed at 1.5325 -35 1.1250 70 1.1320 -35 1.5420 30
GBP/USD entry 1.5230 1.1220 1.5385 1.5460 1.5525
closed at 1.5380 150 1.1250 30 1.5420 -35 1.5505 -35 1.5505 20
USD/JPY
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
Profit Forex Signal
Jun-15
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 3 15.06.2015 16.06.2015 17.06.2015 18.06.2015 19.06.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1205 1.1340
closed at 1.1235 30 1.1310 30
GBP/USD entry 1.5560 1.5740 1.5910
closed at 1.5530 30 1.5710 30 1.5830 80
EUR/USD entry 1.1245
closed at 1.1205 40
GBP/USD entry 1.5510
closed at 1.5650 150
GBP/USD 1.5575 1.5605 -30
EUR/USD
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 4 22.06.2015 23.06.2015 24.06.2015 25.06.2015 26.06.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1315
closed at 1.1395 80
GBP/USD entry 1.5885 1.5770
closed at 1.5735 150 1.5800 30
EUR/USD entry 1.5810 GBP/USD
closed at 1.5840 30
GBP/USD entry 1.5825
closed at 1.5825 0
GBP/USD entry 1.1390
closed at 1.1250 140
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 5 29.06.2015 30.06.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry
closed at
GBP/USD entry
closed at
EUR/USD entry 1.1215
closed at 1.1250 -35
GBP/USD entry
closed at
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
customer report
week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing
80 270 180 450 205 1185 31 27 4
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 1 01.07.2015 02.07.2015 03.07.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1040
closed at 1.1120 80
GBP/USD entry
closed at
EUR/USD entry
closed at
GBP/USD entry
closed at
EUR/USD enrty
closed at
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 2 06.07.2015 07.07.2015 08.07.2015 09.07.2015 10.07.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1075 1.0935 1.1050 1.1125
closed at 1.1045 30 1.1085 150 1.1020 30 1.1095 30
GBP/USD entry 1.1130
closed at 1.1100 30
EUR/USD entry
closed at
GBP/USD entry
closed at
USD/JPY
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
Profit Forex Signal
Jun-15
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 3 13.07.2015 14.07.2015 15.07.2015 16.07.2015 17.07.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1010 1.1005 1.0930 1.0905
closed at 1.1030 20 1.1035 30 1.0960 30 1.0935 30
GBP/USD entry 1.5510 1.5490 1.5430 1.5670
closed at 1.5480 30 1.5525 -35 1.5400 30 1.5590 80
EUR/USD entry 1.1005 1.0950
closed at 1.1035 30 1.0950 0
GBP/USD entry 1.5435
closed at 1.5470 -35
GBP/USD
EUR/USD
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 4 20.07.2015 21.07.2015 22.07.2015 23.07.2015 24.07.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0845 1.0905 1.0935
closed at 1.0995 150 1.0935 -30 1.0905 30
GBP/USD entry 1.5545 1.5550 1.5670 1.5510
closed at 1.5565 20 1.5630 80 1.5520 150 1.5540 30
EUR/USD entry
closed at
GBP/USD entry 1.5550
closed at 1.5570 20
GBP/USD entry
closed at
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 5 27.07.2015 28.07.2015 29.07.2015 30.07.2015 31.07.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1085 1.1115 1.1055
closed at 1.1065 20 1.0965 150 1.1020 -35
GBP/USD entry 1.5535
closed at 1.5515 20
EUR/USD entry 1.1105 1.1055
closed at 1.1085 20 1.1085 30
GBP/USD entry
closed at
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
customer report
week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing
310 385 420 870 1985 28 27 1
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 1 03.08.2015 04.08.2015 05.08.2015 06.08.2015 07.08.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0950 1.0855
closed at 1.0980 30 1.0935 80
GBP/USD entry 1.5640 1.5510
closed at 1.5490 150 1.5530 20
EUR/USD entry 1.0880
closed at 1.091 30
GBP/USD entry
closed at
EUR/USD enrty
closed at
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 2 10.08.2015 11.08.2015 12.08.2015 13.08.2015 14.08.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0970 1.1165 1.1160 1.1175
closed at 1.0940 30 1.1085 80 1.1130 30 1.1035 140
GBP/USD entry 1.5605 1.5645
closed at 1.5575 30 1.5615 30
EUR/USD entry 1.0940
closed at 1.1020 80
GBP/USD entry EUR/USD 1.0995
closed at 1.1030 -35
USD/JPY
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
Profit Forex Signal
Jun-15
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 3 17.08.2015 18.08.2015 19.08.2015 20.08.2015 21.08.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1060
closed at 1.1210 150
GBP/USD entry 1.5660 1.5710 1.5685
closed at 1.5580 80 1.5630 80 1.5655 30
EUR/USD entry
closed at
GBP/USD entry 1.5585
closed at 1.5665 80
GBP/USD
EUR/USD
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 4 24.08.2015 25.08.2015 26.08.2015 27.08.2015 28.08.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1385 1.1410 1.1515
closed at 1.1355 30 1.1560 150 1.1365 150
GBP/USD entry 1.5720 1.5770
closed at 1.5570 150 1.5750 20
EUR/USD entry 1.1660 1.1500
closed at 1.1510 150 1.1470 30
GBP/USD entry 1.5780 1.5780
closed at 1.5750 30 1.5700 80
EUR/USD entry 1.1480
closed at 1.1400 80
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 5
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry
closed at
GBP/USD entry
closed at
EUR/USD entry
closed at
GBP/USD entry
closed at
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
customer report
week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing
575 440 760 235 100 2110 62 53 9
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 1 01.09.2015 02.09.2015 03.09.2015 04.09.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1300 1.1225 1.1100
closed at 1.1270 30 1.1225 0 1.1180 80
GBP/USD entry 1.5320 1.5300 1.1220 1.5220
closed at 1.5350 30 1.5330 30 1.1185 -35 1.5250 30
EUR/USD entry 1.1330 1.1120
closed at 1.1180 150 1.1150 30
GBP/USD entry 1.5310 1.5300 1.5220 1.5220
closed at 1.5330 20 1.5300 0 1.5250 30 1.5250 30
EUR/USD enrty 1.5190
closed at 1.5340 150
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 2 07.09.2015 08.09.2015 09.09.2015 10.09.2015 11.09.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1140 1.1150 1.1145 1.1290
closed at 1.1170 30 1.1230 80 1.1295 150 1.1260 30
GBP/USD entry 1.5270 1.5350 1.5410 1.5470
closed at 1.5305 -35 1.5385 -35 1.5380 30 1.5440 30
EUR/USD entry 1.1135
closed at 1.1215 80
GBP/USD entry 1.5380 1.5400
closed at 1.5350 30 1.5370 30
EUR/USD 1.1170 1.1150 20
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
Profit Forex Signal
Sep-15
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 3 14.09.2015 15.09.2015 16.09.2015 17.09.2015 18.09.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1360 1.1285 1.1335 1.1445
closed at 1.1280 80 1.1315 30 1.1305 30 1.1295 150
GBP/USD entry 1.5440 1.5435 1.5335 1.5520 1.5640
closed at 1.5410 30 1.5405 30 1.5355 20 1.5490 30 1.5490 150
EUR/USD entry
closed at
GBP/USD entry 1.5395 1.5440 1.5330 1.5600
closed at 1.5425 30 1.5360 80 1.5470 140 1.5570 30
GBP/USD 1.5370 1.5460
EUR/USD 1.5335 -35 1.5495 -35
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 4 21.09.2015 22.09.2015 23.09.2015 24.09.2015 25.09.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1245 1.1180 1.1220 1.1135
closed at 1.1210 -35 1.1145 -35 1.1250 30 1.1215 80
GBP/USD entry 1.5520 1.5490 1.5385 1.5220
closed at 1.5550 30 Will be updated next month Will be updated next month 1.5185 -35
EUR/USD entry 1.1195 1.1145 1.1130
closed at 1.1215 20 1.1175 30 1.1160 30
GBP/USD entry 1.5510 1.5170
closed at 1.5540 30 1.5200 30
GBP/USD entry 1.5485 1.5170
closed at 1.5515 30 1.5200 30
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 5 28.09.2015 29.09.2015 30.09.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1245 1.1215
closed at 1.1280 -35 1.1180 -35
GBP/USD entry 1.5225 1.5170
closed at 1.5155 80 1.5200 30
EUR/USD entry
closed at 1.1220
GBP/USD entry 1.5180 1.1250 30
closed at 1.5210 30
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
customer report
week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing
260 500 625 405 230 2020 56 46 10
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 1 01.10.2015 02.10.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1135
closed at 1.1285 150
GBP/USD entry 1.5115
closed at 1.5145 30
EUR/USD entry
closed at
GBP/USD entry 1.5120
closed at 1.5200 80
EUR/USD enrty
closed at
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 2 05.10.2015 06.10.2015 07.10.2015 08.10.2015 09.10.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1210 1.1225 1.1305 1.1290
closed at 1.1290 80 1.1255 -35 1.1275 30 1.1330 -40
GBP/USD entry 1.5190 1.5165 1.5300 1.5335 1.5350
closed at 1.5170 20 1.5315 150 1.5335 -35 1.5370 -35 1.5320 30
EUR/USD entry 1.5235 1.1340
closed at 1.5270 -35 1.1320 20
GBP/USD entry 1.5220 1.5330 1.5370 1.5350
closed at 1.5140 80 1.5300 30 1.5300 70 1.5330 20
EUR/USD 1.1345
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved. 1.1195 150
Profit Forex Signal
Oct-15
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 3 12.10.2015 13.10.2015 14.10.2015 15.10.2015 16.10.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1370 1.1410 1.1420 1.1480
closed at 1.1405 -35 1.1380 30 1.1400 20 1.1330 150
GBP/USD entry 1.5315 1.5375 1.5370 1.5500
closed at 1.5335 20 1.5235 140 1.5340 30 1.5430 70
EUR/USD entry 1.1445
closed at 1.1415 30
GBP/USD entry 1.5365 1.5240 1.5470
closed at 1.5335 30 1.5205 -35 1.5440 30
GBP/USD 1.5365 1.5335 30 1.5210 1.5360 150
EUR/USD 1.1440 1.1475 -35
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 4 19.10.2015 20.10.2015 21.10.2015 22.10.2015 23.10.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1.1350 1.1305 1.1170 1.1100
closed at 1.1380 30 1.1385 80 1.1135 -35 1.1130 30
GBP/USD entry 1.5440 1.5490 1.5475 1.5380
closed at 1.5475 -35 1.5410 80 1.5455 20 1.5410 30
EUR/USD entry 1.1315 1.1385 1.1120
closed at 1.1335 20 1.1355 30 1.1085 -35
GBP/USD entry 1.5470 1.5480
closed at 1.5450 20 1.5330 150
GBP/USD entry 1.5485
closed at 1.5465 20
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 5 26.10.2015 27.10.2015 28.10.2015 29.10.2015 30.10.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1000 1.1055
closed at 1.1030 30 1.1055 0
GBP/USD entry 1.5325 1.5370
closed at 1.5345 20 1.5400 70
EUR/USD entry 1.1040 1.5315
closed at 1.1010 30 1.5345 GBP/USD 30
GBP/USD entry 1.1030 EUR/USD 1.5290
closed at 1.1050 20 1.5320 30
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
customer report
week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing
355 500 615 150 30 1650 51 42 9
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 1 02.11.2015 03.11.2015 04.11.2015 05.11.2015 06.11.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.1025 1.1015 1.0935 1.0725
closed at 1.1045 20 1.0980 -35 1.0965 30 1.0755 30
GBP/USD entry 1.5445 1.5440 1.5430 1.5280 1.5060
closed at 1.5480 -35 1.5360 80 1.5270 150 1.5300 20 1.5080 20
EUR/USD entry 1.1035 1.0990 1.0940
closed at 1.1035 0 1.0945 -35 1.0905 -35
GBP/USD entry 1.5475 1.5385 1.5380 1.5035
closed at 1.5455 20 1.5405 20 1.5345 -35 1.5175 140
GBP/USD enrty 1.5465 1.0900
closed at 1.5465 0
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 2 09.11.2015. 10.11.2015. 11.11.2015. 12.11.2015. 13.11.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0725 1.0725 1.0710
closed at 1.0755 30 1.0690 -35 1.0730 20
GBP/USD entry 1.5100 1.5165
closed at 1.5250 150 1.5145 20
EUR/USD entry 1.0760 1.0685
closed at 1.0740 20 1.0705 20
EUR/USD entry 1.0760 1.0680 1.5185 GBP/USD 1.0705
closed at 1.0740 20 1.0830 150 1.5220 -35 1.0785 80
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
Profit Forex Signal
Nov-15
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 3 16.11.2015 17.11.2015 18.11.2015 19.11.2015. 20.11.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0690 1.0635 1.0650
closed at 1.0720 30 1.0655 20 1.0670 20
GBP/USD entry 1.5230 1.5190 1.5195 1.5190 1.5270
closed at 1.5200 30 1.5220 30 1.5225 30 1.5330 140 1.5290 20
EUR/USD entry 1.0670 1.0635 1.0620
closed at 1.0635 -35 1.0655 20 1.0700 80
GBP/USD entry 1.5185 1.5225 1.5230 1.5330 1.5220
closed at 1.5215 30 1.5195 30 1.5210 20 1.5180 150 1.5185 -35
GBP/USD
EUR/USD
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 4 23.11.2015 24.11.2015 25.11.2015 26.11.2015. 27.11.2015.
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0630 1.0605 1.0600 1.0580
closed at 1.0660 30 1.0635 30 1.063 30 Result of this trade will be published in next month
GBP/USD entry 1.5115 1.5135
closed at 1.5145 30 1.5165 30
EUR/USD entry
closed at
GBP/USD entry 1.5115
closed at Result of this trade will be published in next month
GBP/USD entry
closed at
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 5 30.11.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0580
closed at Result of this trade will be published in next month
GBP/USD entry 1.5030
closed at 1.5060 30
EUR/USD entry
closed at
GBP/USD entry
closed at
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
customer report
week 1 week 2 week 3 week 4 week 5 TOTAL Total trades wining losing
880 570 440 90 150 2130 41 32 9
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 1 Trades from previously month 01.12.2015 02.12.2015 03.12.2015 04.12.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0580 1.0615 1.0580 1.0570
closed at 1.0610 30 1.0585 30 1.0610 30 1.0720 150
GBP/USD entry 1.5120 1.5040 1.5160
closed at 1.4970 150 1.5060 20 1.5080 80
EUR/USD entry 1.0900 1.0615 1.0980
closed at 1.0930 30 1.0545 80 1.0830 150
GBP/USD entry 1.5060 1.5080 1.5025
closed at 1.5110 50 1.5045 -35 1.4990 -35
GBP/USD enrty 1.4930
closed at 1.5080 150
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 2 07.12.2015 08.12.2015 09.12.2015 10.12.2015 11.12.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0885 1.0875 1.0940 1.1030
closed at 1.0815 70 1.0845 30 1.0975 -35 1.0950 80
GBP/USD entry 1.5060 1.5010 1.5130 1.5180 1.5220
closed at 1.5080 20 1.5160 150 1.5165 -35 1.5150 30 1.5070 150
EUR/USD entry 1.0805 1.0870
closed at 1.0955 150 1.0905 -35
GBP/USD entry 1.506 1.5180
closed at 1.5025 -35 1.5150 30
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.
Profit Forex Signal
Dec-15
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 3 14.12.2015 15.12.2015 16.12.2015 17.12.2015 18.12.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0965 1.1015 1.0820
closed at 1.1045 80 1.0875 150 1.0840 20
GBP/USD entry 1.5210
closed at 1.5070 140
EUR/USD entry 1.1035 1.0905
closed at 1.1015 20 1.0935 30
GBP/USD entry
closed at
EUR/USD
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 4 21.12.2015 22.12.2015 23.12.2015 24.12.2015 25.12.2015
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry 1.0930 1.0900 1.0950
closed at 1.0900 30 1.0980 80 1.0985 -35
GBP/USD entry 1.4900 1.4880 1.4900
closed at 1.4930 30 1.4860 20 1.4930 -30
EUR/USD entry 1.0875
closed at 1.0910 -35
GBP/USD entry 1.4885
closed at 1.4855 30
GBP/USD entry
closed at
MONDAY TUESDAY WEDNESDAY THURSDAY FRIDAY
week 5 28.12.2015 29.12.2015 30.12.215 31.12.215
pair LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L LONG SHORT net P/L
EUR/USD entry
closed at
GBP/USD entry 1.4930
closed at 1.4780 150
EUR/USD entry
closed at
GBP/USD entry
closed at
Copyrighted © 2010-2015 by www.profit-forexsignals.com All rights reserved.